PROTECTED SOURCE SCRIPT
Hedge Fund Trading System

Core Components
1. Factor Model
The heart of HFTS is a four-factor scoring system:
Value Factor: Measures price deviation from fair value (historical mean). Positive scores indicate undervaluation; negative scores indicate overvaluation.
Momentum Factor: Risk-adjusted momentum measuring recent returns relative to volatility. Identifies trending strength.
Carry Factor: Approximates institutional carry trades using price structure analysis (configurable methods).
Macro Regime: Long-term trend regime detection (BULL/BEAR/NEUTRAL) using slope-normalized moving averages.
Each factor is normalized and combined into a Combined Factor Score ranging from -1 (extremely bearish) to +1 (extremely bullish).
2. Trend Filter (EMA Cloud)
Triple EMA system (21/55/200) providing:
Short-term trend direction (Fast vs Slow EMA)
Macro trend context (200 EMA)
Visual cloud for trend state
3. Adaptive Volatility Bands
Dynamic bands that expand/contract based on current volatility regime:
HIGH volatility: Bands expand (wider stops needed)
LOW volatility: Bands contract (tighter entries possible)
NORMAL: Standard deviation
4. Volume Profile & VWAP
Volume Profile: Shows price levels with highest trading activity
POC (Point of Control): Highest volume price level
Value Area (VAH/VAL): 70% of volume concentrated zone
VWAP + Deviation Bands: Institutional execution benchmark
5. Risk Management Panel
Real-time position sizing and risk metrics:
Calculated position size based on account risk %
Stop distance (ATR-based)
Drawdown tracking with kill switch
Directional bias status
Z-Score Trading Strategy
The Z-Score is your mean reversion radar. It measures how many standard deviations price is from its 20-period mean.
Z-Score Levels:
Z-ScoreConditionMeaning> +2.5Extreme Overbought🔶 Diamond marker appears - potential short setup> +2.0OverboughtPrice extended above mean-2.0 to +2.0Normal RangeNo extreme conditions< -2.0OversoldPrice extended below mean< -2.5Extreme Oversold🔷 Diamond marker appears - potential long setup
How to Trade Z-Score Signals:
Mean Reversion Longs (Z < -2.0):
Wait for Z-Score to drop below -2.0 (oversold)
Look for diamond marker at extreme (-2.5)
Confirm Macro Regime is NOT "BEAR"
Enter when Z-Score starts turning UP (reversal confirmation)
Target: VWAP or Vol Band Basis (mean)
Stop: Below recent swing low or Vol Band Lower
Mean Reversion Shorts (Z > +2.0):
Wait for Z-Score to rise above +2.0 (overbought)
Look for diamond marker at extreme (+2.5)
Confirm Macro Regime is NOT "BULL"
Enter when Z-Score starts turning DOWN
Target: VWAP or Vol Band Basis
Stop: Above recent swing high or Vol Band Upper
Z-Score + Factor Confluence:
The best mean reversion trades occur when:
Z-Score hits extreme AND
Value Factor confirms (undervalued for longs, overvalued for shorts) AND
Price is at/beyond Volatility Band AND
Volume spike confirms institutional participation
Signal Types
Trend Signals (Green/Red Triangles)
Long Setup:
Trend UP (Fast EMA > Slow EMA)
Pullback to support (between Vol Band Lower and Basis)
Price crosses back above Fast EMA
Factor Score > 0
Above VWAP (if confirmation enabled)
Short Setup:
Trend DOWN (Fast EMA < Slow EMA)
Rally to resistance (between Vol Band Upper and Basis)
Price crosses below Fast EMA
Factor Score < 0
Below VWAP (if confirmation enabled)
Mean Reversion Signals
Automatically generated when Z-Score conditions + regime filters align.
Recommended Settings by Asset
AssetTick ValueTick SizeNotesNQ (Nasdaq Futures)5.000.25High volatility, widen bandsES (S&P Futures)12.500.25Standard settings work wellStocks0.010.01Default settingsCrypto0.010.01Consider higher ATR multiplier
Pro Tips
Factor Alignment: Only take signals when Combined Factor Score matches your trade direction
Volatility Regime: Reduce size in HIGH volatility; increase in LOW volatility
VWAP as Magnet: Price tends to revert to VWAP - use for targets
POC Support/Resistance: Volume Profile POC acts as strong S/R
Drawdown Kill Switch: If Risk State shows "STOPPED" - step away and reassess
Z-Score Extremes: The best mean reversion trades come from -2.5/+2.5 levels, not -2.0/+2.0
Alerts Available
Long/Short Signal triggers
Extreme Overbought/Oversold conditions
VWAP crosses
Drawdown limit breach
1. Factor Model
The heart of HFTS is a four-factor scoring system:
Value Factor: Measures price deviation from fair value (historical mean). Positive scores indicate undervaluation; negative scores indicate overvaluation.
Momentum Factor: Risk-adjusted momentum measuring recent returns relative to volatility. Identifies trending strength.
Carry Factor: Approximates institutional carry trades using price structure analysis (configurable methods).
Macro Regime: Long-term trend regime detection (BULL/BEAR/NEUTRAL) using slope-normalized moving averages.
Each factor is normalized and combined into a Combined Factor Score ranging from -1 (extremely bearish) to +1 (extremely bullish).
2. Trend Filter (EMA Cloud)
Triple EMA system (21/55/200) providing:
Short-term trend direction (Fast vs Slow EMA)
Macro trend context (200 EMA)
Visual cloud for trend state
3. Adaptive Volatility Bands
Dynamic bands that expand/contract based on current volatility regime:
HIGH volatility: Bands expand (wider stops needed)
LOW volatility: Bands contract (tighter entries possible)
NORMAL: Standard deviation
4. Volume Profile & VWAP
Volume Profile: Shows price levels with highest trading activity
POC (Point of Control): Highest volume price level
Value Area (VAH/VAL): 70% of volume concentrated zone
VWAP + Deviation Bands: Institutional execution benchmark
5. Risk Management Panel
Real-time position sizing and risk metrics:
Calculated position size based on account risk %
Stop distance (ATR-based)
Drawdown tracking with kill switch
Directional bias status
Z-Score Trading Strategy
The Z-Score is your mean reversion radar. It measures how many standard deviations price is from its 20-period mean.
Z-Score Levels:
Z-ScoreConditionMeaning> +2.5Extreme Overbought🔶 Diamond marker appears - potential short setup> +2.0OverboughtPrice extended above mean-2.0 to +2.0Normal RangeNo extreme conditions< -2.0OversoldPrice extended below mean< -2.5Extreme Oversold🔷 Diamond marker appears - potential long setup
How to Trade Z-Score Signals:
Mean Reversion Longs (Z < -2.0):
Wait for Z-Score to drop below -2.0 (oversold)
Look for diamond marker at extreme (-2.5)
Confirm Macro Regime is NOT "BEAR"
Enter when Z-Score starts turning UP (reversal confirmation)
Target: VWAP or Vol Band Basis (mean)
Stop: Below recent swing low or Vol Band Lower
Mean Reversion Shorts (Z > +2.0):
Wait for Z-Score to rise above +2.0 (overbought)
Look for diamond marker at extreme (+2.5)
Confirm Macro Regime is NOT "BULL"
Enter when Z-Score starts turning DOWN
Target: VWAP or Vol Band Basis
Stop: Above recent swing high or Vol Band Upper
Z-Score + Factor Confluence:
The best mean reversion trades occur when:
Z-Score hits extreme AND
Value Factor confirms (undervalued for longs, overvalued for shorts) AND
Price is at/beyond Volatility Band AND
Volume spike confirms institutional participation
Signal Types
Trend Signals (Green/Red Triangles)
Long Setup:
Trend UP (Fast EMA > Slow EMA)
Pullback to support (between Vol Band Lower and Basis)
Price crosses back above Fast EMA
Factor Score > 0
Above VWAP (if confirmation enabled)
Short Setup:
Trend DOWN (Fast EMA < Slow EMA)
Rally to resistance (between Vol Band Upper and Basis)
Price crosses below Fast EMA
Factor Score < 0
Below VWAP (if confirmation enabled)
Mean Reversion Signals
Automatically generated when Z-Score conditions + regime filters align.
Recommended Settings by Asset
AssetTick ValueTick SizeNotesNQ (Nasdaq Futures)5.000.25High volatility, widen bandsES (S&P Futures)12.500.25Standard settings work wellStocks0.010.01Default settingsCrypto0.010.01Consider higher ATR multiplier
Pro Tips
Factor Alignment: Only take signals when Combined Factor Score matches your trade direction
Volatility Regime: Reduce size in HIGH volatility; increase in LOW volatility
VWAP as Magnet: Price tends to revert to VWAP - use for targets
POC Support/Resistance: Volume Profile POC acts as strong S/R
Drawdown Kill Switch: If Risk State shows "STOPPED" - step away and reassess
Z-Score Extremes: The best mean reversion trades come from -2.5/+2.5 levels, not -2.0/+2.0
Alerts Available
Long/Short Signal triggers
Extreme Overbought/Oversold conditions
VWAP crosses
Drawdown limit breach
Script protegido
Este script se publica como código cerrado. No obstante, puede utilizarlo libremente y sin ninguna limitación. Obtenga más información aquí.
Dull entries always miss the mark, Hollow Points Always expand.
discord.gg/nobodyfutures
youtube.com/@nqgod?si=WmDoSx7G8nmHbOdk
discord.gg/nobodyfutures
youtube.com/@nqgod?si=WmDoSx7G8nmHbOdk
Exención de responsabilidad
La información y las publicaciones no constituyen, ni deben considerarse como asesoramiento o recomendaciones financieras, de inversión, de trading o de otro tipo proporcionadas o respaldadas por TradingView. Más información en Condiciones de uso.
Script protegido
Este script se publica como código cerrado. No obstante, puede utilizarlo libremente y sin ninguna limitación. Obtenga más información aquí.
Dull entries always miss the mark, Hollow Points Always expand.
discord.gg/nobodyfutures
youtube.com/@nqgod?si=WmDoSx7G8nmHbOdk
discord.gg/nobodyfutures
youtube.com/@nqgod?si=WmDoSx7G8nmHbOdk
Exención de responsabilidad
La información y las publicaciones no constituyen, ni deben considerarse como asesoramiento o recomendaciones financieras, de inversión, de trading o de otro tipo proporcionadas o respaldadas por TradingView. Más información en Condiciones de uso.